Financial Stability and Bank Solvency

Financial Stability and Bank Solvency
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金融稳定和银行偿付能力

DOI:
10.1142/9789812569479_0007
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发表时间:
2005
期刊:
--
影响因子:
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通讯作者:
P. Sinclair
P. Sinclair
中科院分区:
--
文献类型:
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作者:
A. Haldane;Glenn Hoggarth;V. Saporta;P. Sinclair

文献摘要

被引文献

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内容包括:引言关于偿付能力-稳定关系的经验证据从金融不稳定到银行体系从银行部门的疲软到宏观经济基于模型的关于金融稳定-偿付能力联系的证据陈的模型从宏观冲击到通过金融部门的产出损失从银行部门的问题到产出讨论金融稳定工具的分类解决银行危机的方法评估公共干预银行解决方案的框架银行解决方案中的公开问题判断大型复杂金融机构(LCFI)的系统处理参考文献
AbstractThe following sections are included:IntroductionEmpirical Evidence on the Solvency–Stability NexusFrom financial instability to the banking systemFrom banking sector weakness to the macroeconomyModel-Based Evidence on the Financial Stability–Solvency NexusThe model by ChenFrom macro shocks to output loss via the financial sectorFrom banking sector problems to outputDiscussionFinancial Stability InstrumentsA taxonomy of instrumentsMethods of resolving a banking crisisA Framework for Assessing Public Intervention in Bank ResolutionOpen Issues in Bank ResolutionJudging "systemic"Dealing with large complex financial institutions (LCFIs)References